Key Features
- Allows repo flow management at the sub-account level, enabling dealers to see splits pre-trade and avoid time-consuming post-trade manual splits
- Swift and efficient dealer response comparisons taking into account dealer rate and haircut to prove best execution
- Represents the cash value of each line and total package, utilizing robust bond prices from Tradeweb’s bond execution platform
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Products
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Pre-Trade At-Trade Post-Trade APA Data Feeds
Money Markets Rates Page
Maturity Monitor
Protocols
Request for Quote (RFQ)
Trade Tools
Balance Sheet Management Function
Trade Types
Outright/
Reverse RepoBest Execution Metrics
Execution Report
Audit Trail/Compliance Records
Transaction Cost Analysis (TCA)
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Europe 7:30 am London time open 5:00 pm London time close
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Pre-Trade At-Trade Post-Trade APA Data Feeds
Money Markets Rates Page
Maturity Monitor
Protocols
Request for Quote (RFQ)
Trade Tools
Balance Sheet Management Function
Trade Types
Outright/Reverse Repo
Execution Report
Best Execution Metrics
Audit Trail/Compliance Records
Transaction Cost Analysis (TCA)
-
-
-
Europe 7:30 am London time open 5:00 pm London time close
-
-
-
Pre-Trade At-Trade Post-Trade Money Markets Rates Page
Maturity Monitor
Protocols
APA Data Feeds
Request for Quote (RFQ)
Trade Tools
Balance Sheet Management Function
Trade Types
Outright/Reverse Repo
Execution Report
Best Execution Metrics
Audit Trail/Compliance Records
Transaction Cost Analysis (TCA)
-
-
-
Europe 7:30 am London time open 5:00 pm London time close